Specifies the date that the void entry will be posted regardless of the void type that is selected.

All of the unapply postings will also use the Void Date, if the Unapply and Void Check type is selected.

If the void date is equal to the Check Date, which is the default setting, then both the original check and the void entry will be marked as Cleared for bank reconciliation purposes. If they are different, then they must each be cleared independently during bank reconciliation.

The Void Date cannot be earlier than the Check Date.

Tip

See Also